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3i Group Plc Value Stock - Dividend - Research Selection

3i Group Plc


Market price date: 26.05.2021
Market price: 12,32 GBP

3i Group Plc Fundamental data and company key figures of the share

Annual reports in GBP
Key figures 28-05-2020
Cash flow
Net operating cash flow 208.000.000
Capital Expenditures -1.000.000
Free cash flow 205.000.000
Balance sheet
Total Equity
Liabilities & Shareholders equity 10.334.000.000
Income statement
Net income 1.855.000.000
Eps (diluted) 0,220
Diluted shares outstanding 964.636.000
Net sales/revenue 1.966.000.000

Fundamental ratios calculated on: 26-05-2021

Key figures 26-05-2021
Cash flow
P/C 57,14
P/FC 57,97
Balance sheet
Income statement
Div. Yield2,84%

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Market Capitalization15.645.492.224,00 USD
IndicesFTSE 100
Raw Data SourceIFRS in Millionen GBP
Stock Split2009-05-28,1312.000000/817.000000; 2007-07-16,17.0000/20.0000; 2007-07-15,17.0000/20.0000; 2006-07-17,11.0000/13.0000; 2006-07-16,11.0000/13.0000; 2005-07-11,16.0000/17.0000; 2005-07-10,16.0000/17.0000

Description of the company

3i Group plc is an investment company with approximately three complementary businesses, Private Equity, Infrastructure and Debt Management, specializing in core investment markets in northern Europe and North America. The Company's Private Equity business includes investment and asset management to generate capital returns, and is focused on consumer, industrial and business services sectors. Its Infrastructure business includes investment and asset management to generate capital returns and cash income and focuses on the United Kingdom and Europe. Its Debt Management business includes fund management and investment to generate recurring cash income, and invests in collateralized loan obligation (CLO) equity and seed capital in senior debt funds. Its subsidiaries include 3i Investments plc, 3i Debt Management Investments Limited, 3i BIFM Investments Limited, 3i Europe plc and 3i Nordic plc. 3i Investments plc is the investment manager of the Company.

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